Coordinate monthly financial closing and analyze income-related accounts for reasonableness to provide financial reports to division and corporate management.
* Interface with Corporate Finance/tax departments regularly to ensure financial data in timely manner.
* Interface with internal departments to compile financial data to satisfy corporate consolidation reporting requirements.
* Perform monthly cash reconciliations and various balance sheet account controls to ensure accuracy.
* Assist the Internal Auditor to perform initial financial department audits to insure accuracy.
* Compile financial data for corporate tax reporting to comply with federal and state government requirements.
Required Skills
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Required Experience
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